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Sniper's $SPX 0-DTE Tactical Plan for May 14th 2026 Market Environment: SPX 7466 gapped up from 7444 ( 22). ATM IV 16.9% with expected move ±29. Major Call Wall: 7500 Dealer's floor: 7390. Gap-up near expected move highs = avoid chasing. Positive gamma may keep price sticky until key levels break.
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Weekend watchlist: $TSLA, $SOXL and $IWM. If the Iran deal headlines continue into Sunday evening, these are the names I would look to buy aggressively. Why? Lower oil prices = bullish for growth and consumers. Reduced geopolitical fear = risk-on momentum. Lower inflation pressure could push traders back into high beta tech and small caps. $TSLA could squeeze hard. Space X IPO liquidity drain fiasco is over as well. $SOXL loves risk-on semiconductor momentum. $IWM may finally wake up if money rotates into small caps. FYI : I hold these tickers already in my long term portfolio. Sunday futures should be very interesting. As always we will continue to trade $SPX options everyday. #stock #option #wealth

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Good morning X fam ☀️☕️ No $SPX stress today 😄 Weekends are for reviewing your trades, studying your journal, and sharpening the mind. That’s where real growth happens as a trader. 📈 But don’t forget… family time is everything ❤️ Enjoy these beautiful summer days outside, touch some grass 🌿, work on your garden, take a small walk in nature, World Cup, and reset your mind. A calm mind creates better traders. Hope you all enjoy the weekend to the fullest. ⚽️🥅🏟️🍺💐

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Sniper's End of Day Review : High IV and SpaceX IPO volatility made today very tactical. SPX respected our key levels beautifully and closed around 7431. Stayed patient, traded the reclaim setups, and called it a day before the lunch hour. 🎯 Overall gains: $4.5K 💚 If you enjoy my daily SPX plans and content, all I ask is a like ❤️ repost 🔁 and follow 🙏 Have a wonderful Weekend, time to enjoy World Cup.. 🍺🥃🍷⚽🏆
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Midday Review: How I made 🟢$4.5K before the SpaceX IPO ($SPCX) volatility Extreme IV kept premiums very expensive today. Started the morning with $TSLA 410 0DTE calls on a pullback as usual every Friday 😅 locking in $949 gains. FYI: Friday 0dte TSLA calls work 90%. $SPX opened around our major inflection level of 7410 and flushed nicely toward our DT2 level of 7365. I missed the initial put entry, which is totally fine. Once SPX stabilized at DT2 level, I took 7430 calls above the 7385 reclaim and scaled profits into the move. Later SPX dropped back to DT1 7385 before a strong volatility expansion candle pushed price toward our UT1 7425 level. Many traders probably thought it was too late for calls, but I added 7430/7460 call debit spreads and scaled out into our UT2 7445 target. 🎯 Overall gains for the day so far: $4.5K 💵💰
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Small asymmetric $NOW leap combo opened Sold Jun’27 2*85 Put Bought Jun’27 1*100 Call Looking for long-term upside exposure while reducing the cost basis. Total cost to open this RR is less than $300.
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FYI this is a bullish strategy guys. If you want something simpler, you can simply buy ATM LEAP calls or shares and just let time work for you.
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Sniper's $SPX 0DTE Tactical Plan for June 12, 2026 (Free Plan that actually makes money, learn how to make $1k/day trading SPX) 1/3 Market Environment: SPX SPOT 7405 after gapping up from 7395. 0DTE ATM IV remains elevated at 37.1% with a massive 63-point straddle. Major Inflection: 7410 Big event today is the SpaceX IPO which could bring headline driven volatility and liquidity rotation. I will be flipping Space X shares as well.
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I am out of my call debit spread made $949.
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Took 7430/60 call spread here ..
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The next clear SPX call set up is above 7425. A new 5-min candle opens above this level will be the trigger. Stop loss at 7415. The inflection level is the local battle ground so far.
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I would love to trade SpaceX shares once they become available today. 🚀 It’s going to be fun. I also know many of us may end up becoming proud bagholders unfortunately. 😅
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Amazing catch.. $2246 from SPX calls, $1287 from Tesla calls. How did I do it? I just followed Sniper's strategy. Hope you guys caught something.
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If you are in calls above 7385 levels, take profit at 7410. I will be all out at that level.
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Above 7385, I like calls.
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As you all can see premium are super expensive, so you can trade FAR OTM single leg (not ideal), or debit spread, or small ITM contracts. Premium like these make people lose easily.
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SPX is below major inflection (7410) so overall structure is bearish. I missed the PUT entry which is fine.
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Leaving only 1 TSLA runner. Just in case you wanna know how I trade TSLA on Fridays: I usually look to enter calls on pullbacks in first 3 mins after opening rather than chasing strength. Learn, make money.. these are valuable strategies.
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Taking profit on TSLA calls.
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In tesla 410 0 dte calls as every Friday.
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2/3 Bullish Above 7410: 7425 → 7445 → 7470 (Stop loss: Below 7400) Bearish Below 7395: 7385 → 7365 → 7350 (Stop Loss: Above 7410) Mechanics: 7410 remains the key inflection. Below 7400, dealers long options may slow downside pressure unless sellers gain strong acceptance lower.
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3/3 Vol contraction: If SPX stays trapped between 7395 -7410 expect chop and premium burn. Short IC as: 7365/7350 Put Side 7450/7465 Call Side Manage them carefully. Like ❤️ Share and turn notifications on 🔔 if you want free daily $SPX tactical plans. Learn how to make $1K/day trading SPX with proper risk management and patience for FREE.
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